Avnet Financial Ratios for Analysis 2009-2024 | AVT

Fifteen years of historical annual and quarterly financial ratios and margins for Avnet (AVT).

Annual Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024202320222021202020192018201720162015201420132012201120102009
2.322.532.092.342.782.672.563.071.822.011.801.731.721.841.932.09
0.330.390.260.230.280.260.240.250.220.260.200.220.250.240.290.26
0.590.640.380.300.380.420.350.340.530.420.420.480.550.370.430.35
11.6411.9912.2011.4711.7012.7413.2813.5912.4112.5211.7311.7011.8711.7111.9012.46
3.554.473.861.44-0.031.871.102.543.423.702.872.463.443.503.32-6.28
3.554.473.861.44-0.031.871.102.543.423.702.872.463.443.503.32-6.28
4.155.014.502.411.353.793.323.443.904.173.372.933.833.813.63-5.87
2.663.703.430.89-0.731.210.761.782.863.242.552.163.083.283.05-6.75
2.102.902.850.99-0.180.90-0.823.013.033.241.981.772.212.522.14-6.96
1.952.132.342.192.182.281.981.801.491.632.442.432.532.682.462.59
3.844.275.035.345.705.665.255.345.736.229.299.939.499.029.3110.06
5.415.575.655.466.026.165.235.236.043.495.275.235.585.575.366.20
67.4765.5264.5866.8260.6159.2569.8169.8560.3910469.2969.8165.4265.5468.0958.89
10.1216.2216.514.73-0.834.26-3.055.088.3310.3611.1610.4914.5216.5013.64-40.92
12.0319.4120.166.00-1.085.65-4.107.019.6614.6816.2515.7620.2121.1016.80-51.10
4.086.186.662.16-0.382.06-1.492.723.484.494.854.305.586.755.27-18.01
6.809.9612.303.66-0.603.17-2.313.816.487.678.958.1910.9512.559.65-30.47
55.3151.9343.8141.0137.7239.8040.4542.1036.8334.5835.3731.2927.4026.5519.8218.28
7.51-7.64-2.200.917.274.832.11-2.871.684.211.694.973.541.80-0.207.41
5.05-9.73-2.690.416.543.720.81-3.800.653.250.814.282.680.91-0.566.77

Quarterly Data

Metric Name
Current Ratio
Long-term Debt / Capital
Debt/Equity Ratio
Gross Margin
Operating Margin
EBIT Margin
EBITDA Margin
Pre-Tax Profit Margin
Net Profit Margin
Asset Turnover
Inventory Turnover Ratio
Receiveable Turnover
Days Sales In Receivables
ROE - Return On Equity
Return On Tangible Equity
ROA - Return On Assets
ROI - Return On Investment
Book Value Per Share
Operating Cash Flow Per Share
Free Cash Flow Per Share
2024-09-302024-06-302024-03-312023-12-312023-09-302023-06-302023-03-312022-12-312022-09-302022-06-302022-03-312021-12-312021-09-302021-06-302021-03-312020-12-312020-09-302020-06-302020-03-312019-12-312019-09-302019-06-302019-03-312018-12-312018-09-302018-06-302018-03-312017-12-312017-09-302017-06-302017-03-312016-12-312016-09-302016-06-302016-03-312015-12-312015-09-302015-06-302015-03-312014-12-312014-09-302014-06-302014-03-312013-12-312013-09-302013-06-302013-03-312012-12-312012-09-302012-06-302012-03-312011-12-312011-09-302011-06-302011-03-312010-12-312010-09-302010-06-302010-03-312009-12-312009-09-302009-06-302009-03-31
2.252.322.332.342.542.532.632.542.042.092.022.152.402.342.292.282.392.782.422.382.232.673.112.992.642.562.752.752.783.072.902.302.821.821.961.701.762.012.001.881.991.801.821.691.781.731.831.771.791.721.721.681.761.841.741.641.701.931.931.862.002.092.10
0.330.330.330.350.390.390.400.400.310.260.180.210.250.230.190.190.240.280.250.230.230.260.320.310.250.240.230.220.220.250.250.420.350.220.250.190.190.260.280.260.250.200.210.210.210.220.270.270.260.250.230.240.230.240.250.270.270.290.240.240.250.260.26
0.590.590.590.690.660.640.670.720.580.380.320.360.340.300.300.310.360.380.430.430.460.420.480.450.340.350.320.330.320.340.340.770.570.530.490.470.460.420.460.450.440.420.440.470.460.480.510.490.590.550.520.520.490.370.500.590.530.430.330.340.350.350.38
10.8411.5611.8411.3811.8112.4812.4611.6711.3812.2312.5312.1611.8112.3411.5610.9510.9311.4212.0411.5911.7512.7113.2812.4812.5113.0213.6313.3213.1413.6914.1813.7212.6911.7412.7612.1412.2411.5611.4911.0911.6311.8712.0411.4311.5911.7012.0011.4711.6612.0312.0011.7111.7311.9311.7911.4311.7012.3912.2511.4211.4811.7612.50
2.542.953.363.814.014.334.814.454.304.474.233.613.012.261.781.230.390.05-2.691.021.36-0.643.261.902.882.40-1.221.811.391.642.572.913.152.783.683.273.692.663.023.312.822.902.772.992.822.472.662.921.703.383.453.453.473.873.613.363.154.163.523.362.04-0.551.50
2.542.953.363.814.014.334.814.454.304.474.233.613.012.261.781.230.390.05-2.691.021.36-0.643.261.902.882.40-1.221.811.391.642.572.913.152.783.683.273.692.663.023.312.822.902.772.992.822.472.662.921.703.383.453.453.473.873.613.363.154.163.523.362.04-0.551.50
---------------------------------------------------------------
1.331.821.802.474.352.903.744.513.643.903.823.272.601.751.430.74-0.49-0.39-3.670.230.74-1.472.671.292.261.85-1.501.371.321.192.391.432.152.173.192.723.242.262.542.912.462.492.472.542.711.932.292.521.852.953.203.113.053.623.193.003.313.843.293.141.76-0.640.70
1.051.491.571.903.302.372.883.632.733.872.832.571.991.632.190.41-0.401.25-2.990.080.90-0.681.870.721.641.16-6.671.031.251.776.122.421.671.553.023.752.832.341.802.171.872.641.701.681.901.911.372.051.712.122.352.202.163.462.262.082.242.712.412.151.17-0.820.43
0.440.460.460.480.500.530.540.560.620.610.660.610.610.590.590.560.560.510.530.530.520.550.520.550.540.530.490.460.480.470.450.320.370.550.370.370.420.630.630.660.620.630.610.650.600.630.620.640.580.620.620.660.660.700.680.680.660.670.660.660.650.600.59
0.890.900.870.900.971.051.071.191.291.321.541.451.501.421.581.481.431.351.381.381.351.361.271.341.311.401.271.191.291.411.381.371.492.151.261.381.442.422.412.692.232.382.342.582.232.572.432.672.202.322.222.352.152.342.342.352.192.522.392.522.462.352.01
1.221.271.311.381.351.381.391.401.471.481.561.441.501.461.461.501.591.421.441.521.481.481.471.471.381.391.351.371.361.381.371.431.432.250.840.770.941.341.351.331.351.351.341.301.321.351.321.301.311.371.351.411.401.451.421.411.401.461.431.411.521.441.39
73.4971.0468.6965.4066.4865.4164.5364.1761.2160.7457.7762.5759.9561.5861.6159.8756.4963.3662.3959.1060.8360.9261.0861.4265.1164.7766.6865.5965.9965.2165.6063.1062.8640.0410711795.9266.9366.7367.8966.5966.6667.1169.2268.3666.4968.2769.3468.6665.7466.7663.9464.3362.0363.4864.0564.2861.7062.8964.0359.2062.5964.70
1.171.681.782.354.343.274.045.514.585.894.313.592.692.092.730.49-0.501.40-3.500.091.05-0.942.180.831.811.23-6.371.081.111.411.760.691.412.062.262.192.403.392.703.482.673.812.402.702.682.942.113.352.523.423.643.813.545.894.044.104.154.693.793.481.76-1.120.58
1.401.992.112.795.153.914.856.645.567.195.344.493.372.653.510.63-0.641.81-4.530.131.40-1.253.001.142.431.66-8.601.501.541.952.450.981.632.393.193.103.394.803.925.033.875.553.564.083.764.423.054.813.554.764.975.054.657.535.345.445.415.784.664.312.18-1.400.73
0.470.680.720.911.651.241.552.041.682.381.881.571.210.961.280.23-0.230.64-1.590.040.47-0.451.040.400.880.60-3.250.580.600.760.910.240.610.860.970.901.021.471.141.421.161.661.041.091.141.200.841.300.991.311.451.451.422.411.531.421.491.811.601.420.76-0.490.25
0.791.131.201.522.642.012.443.293.154.383.542.822.011.622.220.40-0.381.01-2.640.070.81-0.701.490.581.350.94-4.900.840.861.061.320.400.911.611.691.781.942.511.952.561.993.051.912.132.122.291.542.451.862.582.822.922.744.483.033.013.013.322.892.651.32-0.830.43
57.7455.3155.1955.8253.0051.9350.7148.8243.5343.8143.4442.7041.7341.0139.5839.5638.2237.7237.2339.8339.0139.8040.9040.4740.8840.4541.7743.8843.2642.1040.4036.8237.5536.8337.0435.6035.0534.5833.1534.6334.7235.3734.2333.6332.6831.2929.8030.1128.7027.4027.9326.6026.2926.5524.4522.6421.9219.8219.9019.7019.1018.2818.19
1.197.514.56-0.91-0.44-7.64-10.26-10.42-6.75-2.20-0.20-2.62-0.310.911.972.081.247.274.453.401.874.831.84-0.62-0.732.110.15-0.49-1.03-2.87-1.431.840.001.732.260.62-0.254.242.071.61-0.291.691.45-1.10-0.904.973.092.940.563.541.831.64-1.321.80-0.02-1.24-0.73-0.20-1.01-0.600.047.415.21
0.835.052.36-2.63-1.26-9.73-11.75-11.62-7.04-2.69-0.53-2.85-0.430.411.581.771.046.543.832.961.593.720.91-1.25-1.080.81-0.79-1.04-1.25-3.80-2.261.30-0.270.671.450.07-0.483.271.101.01-0.550.810.88-1.44-1.104.282.552.540.402.681.191.17-1.580.91-0.69-1.69-0.94-0.56-1.25-0.72-0.026.774.69